Lannick
Job title:
Financial Analyst – 12 Months
Company
Lannick
Job description
Job HighlightsType ContractHourly Rate $35Apply Now!About the OpportunityAnalytics
- Performs complex analyses of financial and/or statistical data and prepares reports and/or commentary for management review and decision-making
- Prepares complex fee/costing recommendations for programs, analyzing the risks/benefits of options
- Collaborates with Registry and Data Analytics teams to analyze, develop, and fine-tune financial models supporting processes such as allocations, fee model development
- Liaises with cross-functional teams to obtain, exchange, or respond to requests for information, or provide explanation of financial and/or statistical data
- Responsible for the development and maintenance of detailed budget/forecasts, and cash flow forecasting models
- Provides management with financial analysis and data, as required, to support operational decision-making
- Develop, maintain, and distribute ad-hoc reports, presentations and financial models as needed
- Produce detail reports on budget monitoring and evaluation
- Analyze budget variances (budget/forecast vs actual) on a monthly/quarterly/annual basis
Accounting & Reporting
- Processing of month-end and year-end activities, including the preparation of reconciliations and audit packages
- Prepares, analyzes, and presents financial reports in an accurate and timely manner; clearly communicates monthly and annual financial statements; collates financial reporting materials including the appropriate supporting analysis
- Responsible for the integrity of the financial reporting; cash flow forecasting and management; optimizing the company’s working capital
- Coordinating the preparation and analysis of schedules, statements, and reports for distribution to internal and/or external stakeholders
- Recommends changes to financial and accounting policies and procedures including the Financial Management and Controls Policy
- Supports the design of the annual external financial reporting package
- Supports the annual audit, liaises with external auditors, providing information and responding to questions; supports the implementation of any required changes
- Supports the Finance Manager with financial reporting as required at Finance Committee and Board meetings
Treasury & Risk Management
- Responsible for cash flow and risk forecasting preparation
- Provides financial planning and analysis on daily treasury and cash management, limiting risk to the organization
- Recommends investment strategies and portfolios for the Authority’s excess fund investments in compliance with the Investment Policy
- Responsible for quarterly cash flow and investment reporting to Finance Manager and CFAO
- Prepares quarterly bank reporting in support of loan compliance agreements
Special Projects
- Performs ad-hoc analysis, reports and projects as required
- Monitors and assists in the capital management process, providing insight to the capital program
About You
- Bachelor Degree/Diploma in finance, accounting or economics or equivalent work experience
- Professional Designation (CPA) or in the final stages of acquiring
- 3-5 years of experience
- Regulatory compliance experience considered an asset
- Strong knowledge of generally accepted accounting principles
- Ability to independently interpret reported results, follow-up on anomalies and provide analysis of variances
- Experience in budgeting, forecasting and proving analysis
How to Apply
Click the “Apply Now” button and follow the instructions to submit your resume. Please know that we only accept documents in MS Word or Rich Text formats. When referencing this job, quote # 412225.You must currently reside within the Greater Toronto Area and be permitted to work in Canada to be considered for this opportunity. A recruiter will be in touch with you if your profile meets our client’s requirements for this role.
Expected salary
$35 per hour
Location
Toronto, ON
Job date
Fri, 31 May 2024 01:32:48 GMT
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